华安策略优选混合C
(013655.jj )
基金经理杨明基金类型混合型成立日期2021-10-18总资产规模205.61万 (2026-06-30) 基金净值2.5141 (2026-08-28) 管理费用率1.20%管托费用率0.20% (2026-02-27) 成立以来分红再投入年化收益率-2.12% (7940 / 9409)
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华安策略优选混合C(013655) - 历史基金净值数据曲线

最后更新于:2026-08-28

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华安策略优选混合C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-08-282.51412.5141
2026-08-272.51262.5126
2026-08-262.50352.5035
2026-08-252.50432.5043
2026-08-242.48742.4874
2026-08-212.50622.5062
2026-08-202.49592.4959
2026-08-192.49242.4924
2026-08-182.51412.5141
2026-08-172.50152.5015
2026-08-142.45882.4588
2026-08-132.46452.4645
2026-08-122.49192.4919
2026-08-112.49662.4966
2026-08-102.54452.5445
2026-08-072.51322.5132
2026-08-062.48252.4825
2026-08-052.48112.4811
2026-08-042.39602.3960
2026-08-032.39192.3919
2026-07-312.40782.4078
2026-07-302.40912.4091
2026-07-292.38932.3893
2026-07-282.35702.3570
2026-07-272.36932.3693
2026-07-242.34412.3441
2026-07-232.38632.3863
2026-07-222.36132.3613
2026-07-212.34152.3415
2026-07-202.31492.3149
2026-07-172.26702.2670
2026-07-162.31482.3148
2026-07-152.34762.3476
2026-07-142.32302.3230
2026-07-132.30732.3073
2026-07-102.32242.3224
2026-07-092.35112.3511
2026-07-082.35962.3596
2026-07-072.38612.3861
2026-07-062.42492.4249
2026-07-032.42252.4225
2026-07-022.40412.4041
2026-07-012.46292.4629
2026-06-302.47402.4740
2026-06-292.48342.4834
2026-06-262.48332.4833
2026-06-252.49932.4993
2026-06-242.45132.4513
2026-06-232.36272.3627
2026-06-222.42282.4228